CSIMarket
 
Vystar Corporation  (VYST)
Other Ticker:  
 
 
 

Customers by VYST's Divisions

(Most recent Quarter in Millions of $)



COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
Vystar Corporation VYST Total 3.2 0.4 13.41 %
Ecolab Inc ECL Global Industrial 1,268.0 200.5 15.81 %
Newell Brands Inc NWL Commercial Products 206.8 29.5 14.26 %
Procter and Gamble Co PG Fabric & Home Care 5,251.0 1,120.0 21.33 %
Sealed Air Corp SEE Diversey 501.8 66.4 13.23 %
Yunhong Cti Ltd CTIB Total 2.3 -1.0 -
Hexion Inc HXN Total 852.0 38.0 4.46 %
Myers Industries Inc MYE Total 228.1 13.7 5.99 %
Keysight Technologies inc. KEYS Total 1,376.0 338.0 24.56 %
Strattec Security Corp STRT Total 112.9 3.8 3.4 %
Autoliv Inc ALV Total 2,301.0 106.0 4.61 %
China Automotive Systems inc CAAS Total 137.2 8.0 5.84 %
Emerson Electric Co EMR Industrial Automation 945.0 136.0 14.39 %
Genuine Parts Co GPC Electrical/electronic materials 125.6 8.8 6.97 %
Textron Inc TXT Industrial 828.0 61.0 7.37 %
Genuine Parts Co GPC Electrical & electronic materials 194.7 0.0 -
Genuine Parts Co GPC Industrial 1,188.0 88.9 7.48 %
Visteon Corp VC Electronics 771.0 80.0 10.38 %
Dow Inc DOW Electronic & Specialty Materials 1,108.0 289.0 26.08 %
Honeywell International Inc HON Specialty Materials 2,220.0 461.0 20.77 %
Dana Inc DAN Power Technologies 254.0 38.0 14.96 %
Cummins Inc CMI Power Generation 386.0 42.0 10.88 %
Cummins Inc CMI Filtration & Other 1,543.0 123.0 7.97 %
Eaton Corporation Plc ETN Automotive 897.0 136.0 15.16 %
Ford Motor Co F Automotive 35,818.0 2,330.0 6.51 %
General Motors Company GM GMA 22,253.0 -5,156.0 -
Genuine Parts Co GPC Automotive 2,103.1 207.4 9.86 %
Paccar Inc PCAR Truck 3,744.7 388.3 10.37 %
Eastman Chemical Co EMN CASPI Segment 486.0 114.0 23.46 %
Dupont De Nemours Inc DD Agriculture & Nutrition 3,828.0 1,136.0 29.68 %
Dupont De Nemours Inc DD Coatings & Color Technologies 1,302.0 102.0 7.83 %
Dupont De Nemours Inc DD Electronic & Communication Technologies 532.0 5.0 0.94 %
Sealed Air Corp SEE Food Packaging 836.4 168.4 20.13 %
Sealed Air Corp SEE Protective & Specialty Packaging 384.7 81.0 21.06 %
Kimberly clark Corporation KMB Personal Care 2,306.0 473.0 20.51 %
Pultegroup Inc PHM Homebuilding 1,464.1 345.3 23.58 %
Kb Home KBH Total 1,844.9 255.3 13.84 %
Eaton Corporation Plc ETN Fluid Power 599.0 44.0 7.35 %
Eaton Corporation Plc ETN Electrical 3,258.0 486.0 14.92 %
Cummins Inc CMI Engine 1,800.0 252.0 14 %
Crane Holdings Co CR Merchandising Systems 186.5 26.1 13.99 %
Whirlpool Corp WHR Total 4,784.0 145.0 3.03 %
Mattel Inc MAT Total Domestic 1,069.1 230.2 21.53 %
Mattel Inc MAT International 798.6 142.6 17.85 %
Hasbro Inc HAS International 362.8 25.4 6.99 %
Brunswick Corporation BC Boat 271.3 6.4 2.36 %
Brunswick Corporation BC Bowling & Billiards 72.1 3.3 4.58 %
Masco Corporation MAS Plumbing Products 853.0 137.0 16.06 %
Lockheed Martin Corporation LMT Space Systems 1,930.0 232.0 12.02 %
Boeing Co BA Support Systems 2,172.0 281.0 12.94 %
Caterpillar Inc CAT Machinery 6,643.0 310.0 4.67 %
Deere and Co DE Agricultural equipment 5,308.0 472.0 8.89 %
Deere and Co DE Construction & forestry 1,532.0 129.0 8.42 %
Fluor Corporation FLR Industrial & Infrastructure 1,080.0 58.3 5.4 %
Anheuser busch Inbev Sa BUD Domestic Beer 3,465.6 555.4 16.03 %
Illinois Tool Works Inc ITW Industrial Packaging 496.0 79.0 15.93 %
Coca Cola Co KO Total 11,063.0 2,822.0 25.51 %
Pepsico Inc PEP PepsiCo Beverages North America 5,360.0 860.0 16.04 %
Pepsico Inc PEP PepsiCo International 3,056.0 418.0 13.68 %
Corning Inc GLW Environmental technologies 260.0 46.0 17.69 %
Mckesson Corporation MCK Medical-Surgical Solutions 1,571.0 0.0 -
Becton Dickinson And Company BDX Medical Surgical Systems 1,402.0 0.0 -
Johnson and Johnson JNJ Med. Dev. & Diag. 6,358.0 3,013.0 47.39 %
Cardinal Health Inc CAH Medical 2,855.0 103.0 3.61 %
O i Glass Inc OI Total 1,693.0 235.0 13.88 %
The Sherwin williams Company SHW Total 6,047.4 685.1 11.33 %
D r Horton Inc DHI Total 9,639.5 1,648.2 17.1 %
Caterpillar Inc CAT Engines 5,585.0 0.0 -
Lennar Corp LEN Homebuilding total 2,232.3 319.0 14.29 %
Johnson Controls International Plc JCI Interior experience Europe 2,182.0 -66.0 -
Johnson Controls International Plc JCI Interior experience North America 2,167.0 147.0 6.78 %
Johnson Controls International Plc JCI Interior experience Asia 663.0 99.0 14.93 %
Johnson Controls International Plc JCI Power solutions 1,685.0 340.0 20.18 %
Illinois Tool Works Inc ITW Power Systems & Electronics 426.0 111.0 26.06 %
Illinois Tool Works Inc ITW Food Equipment 518.0 114.0 22.01 %
Dana Inc DAN HVTSG 717.0 0.0 -
Kb Home KBH Total Homebuilding 840.2 31.3 3.72 %
D r Horton Inc DHI Home sales 2,857.9 569.0 19.91 %
International Paper Company IP Industrial Packaging 3,642.0 553.0 15.18 %
International Paper Company IP Consumer Packaging 809.0 -153.0 -
General Electric Company GE Aviation 6,001.0 1,353.0 22.55 %
Emerson Electric Co EMR Total 5,360.0 708.0 13.21 %
Terex Corporation TEX Construction 180.1 2.7 1.5 %
Terex Corporation TEX Aerial Work Platforms 573.8 79.4 13.84 %
The Manitowoc Company Inc MTW Foodservice equipment 425.3 70.4 16.55 %
Dover Corp DOV Total Fluid Management 585.0 144.3 24.67 %
Danaher Corporation DHR Medical Technologies 1,002.8 126.4 12.6 %
Rockwell Automation Inc. ROK Total 1,968.7 294.8 14.97 %
Hasbro Inc HAS North America 385.2 47.1 12.24 %
Johnson Controls International Plc JCI Interior experience 4,161.0 370.0 8.89 %
General Electric Company GE Consumer & Industrial 2,098.0 77.0 3.67 %
Lyondellbasell Industries N v LYB Total O&P 4,712.0 1,390.0 29.5 %
Fmc Corporation FMC Industrial Chemicals 254.2 36.5 14.36 %
Harley davidson Inc HOG Motorcycles total 812.4 0.0 -
Dillard s inc DDS Construction 46.1 1.8 3.91 %
Berkshire Hathaway Inc BRKA Marmon 1,680.0 290.0 17.26 %
General Motors Company GM GM Automotive 36,670.0 2,648.0 7.22 %
Beam Therapeutics Inc BEAM Home & hardware 1,111.5 62.8 5.65 %
Caterpillar Inc CAT Construction Industries Machinery 4,471.0 378.0 8.45 %
Dupont De Nemours Inc DD Agriculture 1,093.0 -63.0 -
Campbell Soup Co CPB U.S. Beverages 165.0 33.0 20 %
Itt Inc ITT Industrial Process 270.6 34.0 12.56 %
Itt Inc ITT Motion Technologies 179.9 0.0 -
Medtronic Plc MDT SURGICAL TECHNOLOGIES 410.0 0.0 -
Dover Corp DOV Fluid Solutions 352.0 0.0 -
Dover Corp DOV Refrigeration & Industrial 492.5 0.0 -
Fortune Brands Home and Security Inc FBHS Plumbing & Accessories 364.4 80.9 22.2 %
Fortune Brands Home and Security Inc FBHS Advanced Material Windows & Door Systems 123.8 16.7 13.49 %
Eastman Chemical Co EMN Additives & Functional Products 602.0 126.0 20.93 %
Tesla Inc TSLA Automotive sales 852.6 223.8 26.25 %
Fmc Corporation FMC FMC Minerals 263.2 36.2 13.75 %
Mondel z International Inc MDLZ Beverages 342.0 0.0 -
Pentair Plc PNR Water & Fluid Solutions 684.7 113.3 16.55 %
Pentair Plc PNR Technical Solutions 432.3 101.0 23.36 %
General Electric Company GE Appliances & Lighting 2,293.0 165.0 7.2 %
Aecom ACM Total 3,426.1 113.0 3.3 %
Ducommun Incorporated DCO Total 164.8 110.8 67.24 %
Heico Corporation HEI Total 569.5 93.1 16.34 %
National Presto Industries Inc NPK Total 100.4 3.2 3.23 %
Triumph Group Inc TGI Total 307.6 106.5 34.63 %
Spirit Aerosystems Holdings inc SPR Total 1,276.9 -127.6 -
Vista Outdoor inc VSTO Total 781.7 211.4 27.05 %
Sturm Ruger and Company Inc RGR Total 139.4 18.4 13.19 %
Alamo Group Inc ALG Total 368.8 25.8 7 %
Gencor Industries Inc. GENC Total 29.6 -1.0 -
Miller Industries Inc MLR Total 205.6 5.2 2.55 %
Astec Industries Inc ASTE Total 315.2 0.5 0.16 %
Cnh Industrial N v CNHI Total 5,881.0 559.0 9.51 %
Lgi Homes Inc LGIH Total 547.1 90.4 16.52 %
Emcor Group Inc EME Total 2,826.4 105.8 3.74 %
New Home Co Inc NWHM Total 140.5 4.8 3.4 %
Meritage Homes Corp MTH Total 453.9 262.5 57.84 %
Nvr Inc NVR Total 2,776.9 411.4 14.81 %
Beazer Homes Usa Inc BZH Total 824.7 86.8 10.53 %
Covanta Holding Corporation CVA Total 539.0 30.0 5.57 %
M d c Holdings Inc MDC Total 1,407.6 144.4 10.26 %
Mi Homes Inc MHO Total 1,012.9 131.6 12.99 %
Skyline Champion Corporation SKY Total 806.8 144.1 17.86 %
Cavco Industries Inc CVCO Total 431.7 79.6 18.44 %
Hovnanian Enterprises Inc HOV Total 767.6 82.6 10.76 %
Hill International inc HIL Total 109.6 -0.7 -
Toll Brothers Inc. TOL Total 2,277.5 220.6 9.69 %
Lennar Corp LEN Total 8,934.4 1,472.7 16.48 %
Willdan Group inc WLDN Total 121.4 0.1 0.06 %
Tutor Perini Corporation TPC Total 1,070.9 -24.1 -
The St Joe Company JOE Total 57.6 12.1 20.95 %
Xinyuan Real Estate Co. Ltd. XIN Total 1,536.0 -413.3 -
Stratus Properties Inc STRS Total 10.0 -2.6 -
Taylor Morrison Home Corp TMHC Total 2,034.6 309.2 15.2 %
Tri Pointe Homes Inc TPH Total 1,263.1 150.6 11.92 %
Century Communities Inc CCS Total 1,144.3 144.5 12.63 %
Donaldson Company Inc DCI Total 847.3 87.2 10.29 %
Albany International Corp AIN Total 260.6 10.8 4.15 %
Idex Corp IEX Total 824.0 178.7 21.69 %
Xylem Inc XYL Total 1,380.0 12.0 0.87 %
Polaris Inc PII Total 2,340.6 186.6 7.97 %
Hillenbrand inc HI Total 749.9 59.2 7.89 %
Hudson Technologies Inc HDSN Total 89.5 29.4 32.8 %
Sifco Industries Inc SIF Total 21.5 -2.7 -
Transdigm Group Incorporated TDG Total 1,510.0 265.0 17.55 %
Concrete Leveling Systems Inc CLEV Total 0.0 0.0 -
Sterling Infrastructure Inc STRL Total 556.9 30.2 5.41 %
Nobility Homes Inc. NOBH Total 13.8 1.9 13.61 %
Agco Corp AGCO Total 3,121.6 237.9 7.62 %
Borgwarner Inc BWA Total 4,060.0 292.0 7.19 %
Commercial Vehicle Group Inc CVGI Total 251.4 3.6 1.41 %
Lydall Inc LDL Total 221.7 5.8 2.61 %
Modine Manufacturing Co MOD Total 578.8 24.3 4.2 %
Allison Transmission Holdings Inc ALSN Total 710.0 139.0 19.58 %
Tenneco Inc TEN Total 4,931.0 -28.0 -
Gentherm Incorporated THRM Total 333.0 9.8 2.95 %
Blue Bird Corporation BLBD Total 206.1 -6.4 -
Federal Signal Corporation FSS Total 346.4 31.8 9.18 %
Kandi Technologies Group Inc KNDI Total 33.7 1.1 3.19 %
Oshkosh Corporation OSK Total 2,066.7 59.3 2.87 %
Toyota Motor Corp TM Total 232,273.9 21,278.1 9.16 %
A O Smith Corporation AOS Total 874.2 109.8 12.56 %
The Toro Company TTC Total 1,160.6 125.2 10.78 %
Uniroyal Global Engineered Products Inc UNIR Total 20.1 -0.5 -
Tetra Tech inc TTEK Total 284.1 66.9 23.54 %
Mohawk Industries Inc MHK Total 2,917.5 -533.7 -
Escalade Incorporated ESCA Total 74.9 3.0 3.95 %
Fox Factory Holding Corp FOXF Total 409.2 50.8 12.41 %
Hasbro Inc HAS Total 1,675.9 128.2 7.65 %
Mattel Inc MAT Total 1,755.8 289.9 16.51 %
Jakks Pacific Inc JAKK Total 323.0 30.7 9.5 %
Omnitek Engineering Corp OMTK Total 0.2 -0.1 -
Abb Ltd ABB Total 28,945.0 4,650.0 16.06 %
Acuity Brands Inc AYI Total 1,110.3 115.4 10.39 %
Trutankless Inc BOLC Total 0.0 -11.3 -
Capstone Companies Inc CAPC Total 0.0 -0.4 -
Energy Focus Inc EFOI Total 1.8 -2.7 -
Hubbell Inc HUBB Total 1,316.2 140.8 10.7 %
Orion Energy Systems Inc OESX Total 17.6 -2.3 -
Lsi Industries Inc LYTS Total 127.1 6.3 4.93 %
Celsius Holdings Inc CELH Total 188.2 -181.9 -
Coca cola Consolidated Inc COKE Total 1,628.6 118.8 7.29 %
National Beverage Corp. FIZZ Total 318.1 35.5 11.14 %
Monster Beverage Corporation MNST Total 1,624.3 322.4 19.85 %
Pepsico Inc PEP Total 25,248.0 1,341.0 5.31 %
Equator Beverage Company MOJO Total 0.5 0.0 -
Coca Cola Co KO North America 5,635.0 681.0 12.09 %
Reed s Inc REED Total 12.1 -3.2 -
Kraft Heinz Co KHC Total 6,505.0 435.0 6.69 %
Medifast Inc MED Total 390.4 36.2 9.26 %
Crown Holdings Inc CCK Total 3,259.0 158.0 4.85 %
Graphic Packaging Holding Co GPK Total 2,451.0 193.0 7.87 %
Packaging Corp Of America PKG Total 2,125.9 262.5 12.35 %
Silgan Holdings Inc SLGN Total 1,970.4 138.7 7.04 %
Sonoco Products Company SON Total 1,439.2 67.7 4.7 %
Advanced Drainage Systems Inc WMS Total 320.0 153.4 47.94 %
Adm Tronics Unlimited Inc ADMT Total 1.1 0.1 8.77 %
Cabot Corporation CBT Total 1,112.0 103.0 9.26 %
Clear Channel Outdoor Holdings Inc CCO Total 602.9 -38.8 -
Celanese Corporation CE Total 2,301.0 193.0 8.39 %
Gevo Inc GEVO Total 0.3 -43.8 -
W R Grace and co GRA Total 512.9 45.5 8.87 %
Mannatech Incorporated MTEX Total 35.5 1.2 3.35 %
Huntsman Corporation HUN Total 2,011.0 115.0 5.72 %
Innospec Inc IOSP Total 513.0 38.7 7.54 %
Kronos Worldwide inc KRO Total 459.6 21.0 4.57 %
Quaker Chemical Corporation KWR Total 492.2 25.9 5.26 %
Landec Corporation LNDC Total 43.4 -12.1 -
Natural Alternatives International Inc NAII Total 43.1 1.1 2.44 %
Newmarket Corporation NEU Total 696.0 63.2 9.08 %
Nl Industries inc NL Total 42.9 -8.4 -
Dupont De Nemours Inc DD Nutrition & Health 810.0 317.0 39.14 %
Olin Corporation OLN Total 2,321.7 315.2 13.58 %
Raven Industries Inc RAVN Total 114.4 6.9 5.99 %
Rpm International Inc. RPM Total 1,932.3 169.3 8.76 %
Stepan Company SCL Total 719.2 39.4 5.48 %
Tronox Holdings Plc TROX Total 895.0 123.0 13.74 %
Valhi inc VHI Total 556.3 40.8 7.33 %
Westlake Corporation WLK Total 3,956.0 412.0 10.41 %
Westlake Chemical Partners Lp WLKP Total 415.1 78.3 18.86 %
Advanced Container Technologies Inc ACOL Total 0.6 -0.4 -
Aptargroup inc ATR Total 836.9 54.2 6.47 %
Berry Global Group Inc BERY Total 3,232.0 237.0 7.33 %
Ufp Technologies Inc UFPT Total 97.0 19.5 20.15 %
Verso Corporation VRS Total 328.0 13.0 3.96 %
Babcock and Wilcox Enterprises Inc BW Total 214.9 -20.6 -
Circor International Inc CIR Total 195.4 31.5 16.11 %
Franklin Electric Co Inc FELE Total 551.7 59.0 10.69 %
Greif Inc GEF Total 1,667.3 126.7 7.6 %
Generac Holdings Inc GNRC Total 1,088.3 60.4 5.55 %
Honda Motor Co. Ltd. HMC Total 108,264.5 5,659.2 5.23 %
Mueller Water Products Inc MWA Total 333.2 26.5 7.95 %
Nn Inc NNBR Total 127.3 -2.2 -
Enpro Industries Inc NPO Total 280.1 27.5 9.82 %
Growlife Inc PHOT Total 0.2 -0.8 -
Proto Labs Inc PRLB Total 121.7 4.0 3.25 %
Watts Water Technologies Inc WTS Total 487.8 58.7 12.03 %
Trecora Resources TREC Total 83.2 -0.4 -
Nuverra Environmental Solutions Inc NES Total 24.8 -7.2 -
Cadence Design Systems Inc CDNS Total 773.0 176.6 22.84 %
Cleartronic Inc CLRI Total 0.5 0.1 22.45 %
National Instruments Corp NATI Total 427.9 61.9 14.47 %
Ceva Inc CEVA Total 33.7 -22.3 -
Cmc Materials Inc CCMP Total 324.1 34.6 10.67 %
Iec Electronics Corp IEC Total 49.4 1.0 2.08 %
Plexus Corp PLXS Total 856.1 46.1 5.39 %
Powell Industries Inc POWL Total 162.7 8.7 5.37 %
Viavi Solutions Inc VIAV Total 314.8 71.5 22.71 %
Telkonet Inc TKOI Total 2.0 -0.7 -
Rev Group Inc. REVG Total 594.8 9.5 1.6 %
Clear Secure Inc YOU Total 115.9 -65.6 -
APROX. MARKET   SUBTOTAL 830,025 73,358 8.84 %





Economy


Advance Monthly Sales

Consumer Price Index CPI

Producer Price Index PPI

Retail Inventories

Personal Income

Gross Domestic Product GDP

Money Supply

Industrial Production

Productivity

Employment Situation

US International Trade

Factory Orders

Durable Goods

Construction Spending

Housing Starts

Vehicle Unit Sales

Stocks


Event Calendar

DBRM's Profile

Stock Price

DBRM's Financials

Business Description

Fundamentals

Charts & Quotes

DBRM's News

Suppliers

DBRM's Competitors

Customers & Markets

Economic Indicators

DBRM's Growth

Company Segments

Screening


Stock Performance

Growth Rates

Profitability

Valuation

Dividend

Financial Strength

Efficiency

Largest Companies

Management Effectivness

Industries


At a Glance

Performance

Growth Rates

Profitability

Valuation

Financial Strength

Markets


At a Glance

Stocks

Cryptocurrencies

Sectors & Industries

Commodities

Currencies

News


At a Glance

Stocks

Economy

Industries

Other

Help


Sitemap

Advertise

About us

Glossary


Financial Terms

Technical Analysis

Fundamental Analysis

Energy Terms

Manufacturing Terms

Transportation Terms

Health Care

Insurance Terms

Economy Terms

Hotel & Leisure Terms

CSIMarket Company, Sector, Industry, Market Analysis, Stock Quotes, Earnings, Economy, News and Research. 
   Copyright © 2022 CSIMarket, Inc. All rights reserved. This site uses cookies to make your browsing experince better. By using this site, you agree to the Terms of Service and Privacy Policy - UPDATED (Read about our Privacy Policy)

Intraday data delayed per exchange requirements. All quotes are in local exchange time. Intraday data delayed 15 minutes for Nasdaq, and other exchanges. Fundamental and financial data for Stocks, Sector, Industry, and Economic Indicators provided by CSIMarket.com
CSIMarket.com 1500 N. University Drive, Coral Springs, FL 33071